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Job Requirements of Fund Accounting Manager:
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Employment Type:
Full-Time
-
Location:
Chicago, IL (Onsite)
Do you meet the requirements for this job?
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Fund Accounting Manager
Brilliant Financial Staffing - Chicago,& Ft. Lauderdale
Chicago, IL (Onsite)
Full-Time
Job Title: Fund Accounting Manager
Location: Chicago, IL
Salary Range: Up to $150,000 DOE + Bonus
Benefits: Outstanding benefits package, including fully paid medical + dental, vision, life, LTD, and 401(k).
About the Job:In partnership with our client, we are seeking an experienced Fund Accounting Manager to join one of Chicago's premier private equity firms. In-depth knowledge in fund accounting operations, prior experience in investment management and with private equity clients, and public accounting experience required.
Responsibilities:
- Review of period end NAV, SEC financial reporting, timely filing, and accounting of Fund’s with understanding of the underlying investments.
- Review monthly NAV reporting, concepts, and mechanics.
- Timely preparation and filing of periodic financial information in accordance with US GAAP and SEC regulations (Reg S-X FS, N-PORT and Reg filings) and supporting disclosures and management analysis.
- Understanding fund structures, underlying investments profiles, promotes and Fund’s governing agreements.
- Conduct technical accounting research and ensure appropriate application to Fund and underlying investments.
- Build and maintain SEC reporting disclosure checklist/reporting calendar to ensure timely compliance.
- Active management that includes BOD presentations, Fund’s liquidity, cash flow analysis, available cash, sources, and uses of liquidity and active oversight.
- Preparation of Board of Directors analysis and presentations.
- Oversight and management of Fund’s available operating cash.
- Oversight of payments with HVP Treasury and Fund Administrator.
- Oversight of third-party fund administrator, external auditors, tax advisers and other professional service providers.
- Audit coordination with external service providers, key contact/owner.
- Oversight of Fund level debt closing and reporting, review covenant analyses for third party debt/line of credit.
- Understand component of Fund’s and underlying investment performance measurements. Review Fund return/performance analyses, break down fund performance to assist/field client, portfolio management and/or consultant inquiries.
- Build and manage relationships for all internal and external collaborators.
- Field questions and run/discuss analyses for the Fund’s Portfolio Management and Controller.
- Ability to coordinate/respond to Ad Hoc Senior Management and client inquiries.
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